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Treasury Analyst

Marks Sattin (UK) Ltd

South Yorkshire

Hybrid

GBP 35,000 - 55,000

Full time

26 days ago

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Job summary

An established industry player is seeking a Treasury Analyst to join their dynamic Treasury team. In this analytical role, you will ensure accurate cash management activities while aligning local Treasury operations with Group Treasury Policy. Your expertise in advanced Excel and process management will be crucial as you handle intercompany funding, FX settlements, and daily reconciliations. This role offers a fantastic opportunity to enhance your skills in a supportive environment where collaboration with various internal stakeholders is key. If you're ready to take the next step in your career with a competitive salary and attractive benefits, this opportunity is perfect for you.

Benefits

Competitive salary
Attractive employer pension contribution
Bonus

Qualifications

  • 2-3+ years in corporate treasury, banking, or finance.
  • Proven process management and analytical skills.

Responsibilities

  • Process transactions including intercompany funding and FX settlements.
  • Perform daily reconciliations and prepare variance analysis.
  • Support Treasury in key deliverables and ad-hoc projects.

Skills

Advanced Excel skills
Process management
Analytical skills
Communication skills
Multi-tasking

Education

Part qualified or qualified in Accounting or Treasury

Job description

I am recruiting a brand new Treasury Analyst for a well-respected large multinational business.

This is a highly analytical role reporting into the Treasury Manager. Working closely within the Treasury team, this role is responsible for ensuring the Treasury activities are performed in an accurate and timely manner.

You will support the cash management activities for the trading entities, ensuring that performance is to a high standard and all controls are adhered to. You will be responsible for making sure all local Treasury activities are aligned to Group Treasury Policy.

Responsibilities
  • Responsible for processing transactions including intercompany funding payments, FX settlements, and other manual payment requests.
  • Support the Treasury Specialist with all cash management.
  • Perform daily reconciliations of banking activity, in addition prepare variance analysis and resolve discrepancies in an efficient and timely manner.
  • Provide support in the area of intercompany loan portfolio administration, multi-currency netting, and foreign exposure management.
  • Provide Capital Market support including confirmation of FX trades.
  • Analyse banking fees and support the treasury team in implementing process improvements designed to improve operating efficiency and enhance controls.
  • Responsible for preparing treasury reports and managing treasury administration tasks.
  • Work collaboratively with internal stakeholders (Taxation, Corporate, Accounts Payable, Accounts Receivable, Group Accounting).
  • Additionally, you will support Treasury in key deliverables and ad-hoc projects.
Ideal Candidate:
  • Advanced Excel skills with strong attention to detail and accuracy.
  • Proven process management and analytical skills.
  • Track record of productivity and process improvement.
  • Ability to manage multiple tasks at the same time and composure under pressure.
  • Ability to communicate effectively throughout all levels of the organization.
  • 2-3+ years of progressively responsible experience in corporate treasury, banking, or finance.
  • Part qualified or qualified in a recognised Accounting or Treasury qualification.

You will be expected to be in the office 2-3 days a week, and on offer is a competitive salary, attractive employer pension contribution, and bonus.

Please apply today to secure this fantastic new opportunity!

For application and accessibility support, please contact your local Marks Sattin office. We're committed to protecting the privacy of all our candidates and clients; please visit https://www.markssattin.co.uk/privacy for our privacy policy.

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